Indicator
Indicators and strategies
EMA 21/55/100/200EMA 8/21/55/100/200 均线组
一个简洁实用的多周期 EMA 均线系统:将 EMA 8、21、55、100、200 五条指数移动平均线整合到一张图上,帮助快速识别趋势方向、支撑压力位与关键均线突破。适用于股票、指数、外汇、加密货币等品种与任意周期。
与其他均线指标的不同之处
1. EMA 8 智能显隐:默认隐藏;手动开启后,仅在非加密货币市场显示,在加密货币市场中自动隐藏,避免短线均线干扰。
2. 显示长度控制:默认只绘制最近 25 根 K 线内的均线,一键切换全部长度,图表更清爽。
3. 末端数值标签:最后一根 K 线自动标注各均线当前数值,EMA 8 和 EMA 21 额外显示与现价的偏离百分比,方便快速判断乖离。
4. 五档独立警报:价格分别触及 EMA 8、21、55、100、200 时触发提醒。
设置说明
1. 周期:自定义五条均线的周期。
2. 显示长度:是否显示全部长度、最近显示 K 线根数。
3. EMA 开关:各均线的显示开关(EMA 8 智能显隐)。
4. 标签:字号、缩写、差值百分比、标签颜色。
5. 线条颜色与粗细在"样式"页调整。
使用建议
1. 趋势跟随:价格站上 EMA 21/55 且均线多头排列时顺势看多;跌破关键均线时注意风险。
2. 乖离预警:EMA 8 或 EMA 21 偏离现价过大(如超过 1%)时,警惕短线回撤。
3. 支撑压力:EMA 55、100、200 常作为中期与长期支撑压力参考。
风险提示
本指标仅用于技术分析参考,不构成任何投资建议。市场有风险,交易需谨慎。
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EMA 8/21/55/100/200 Moving Average Group
A clean and practical multi-timeframe EMA system that combines five exponential moving averages (8, 21, 55, 100, 200) on one chart, helping you quickly identify trend direction, support/resistance levels, and key moving-average breakouts. Works across stocks, indices, forex, crypto, and any timeframe.
What makes it different
1. Smart EMA 8: hidden by default; when enabled, it only appears on non-crypto markets and auto-hides on crypto charts to reduce noise.
2. Display length control: by default, MAs are drawn only over the most recent 25 bars; one click switches to full length for a cleaner chart.
3. Last-bar value labels: the latest bar shows each MA's current value, with EMA 8 and EMA 21 also showing the % distance from price for quick overextension checks.
4. Five independent alerts: get notified when price touches EMA 8, 21, 55, 100, or 200.
Settings
1. Periods: customize each EMA period.
2. Display length: show full length or limit to recent bars.
3. EMA switches: show/hide each EMA (EMA 8 smart show/hide).
4. Labels: size, abbreviation, % difference and label colors.
5. Line colors and widths are adjusted in the Style tab.
Usage tips
1. Trend following: price above EMA 21/55 with bullish MA alignment suggests an uptrend; watch risk below key MAs.
2. Overextension warning: if EMA 8 or EMA 21 deviates too far from price (e.g. more than 1%), be alert to short-term pullbacks.
3. Support and resistance: EMA 55, 100, and 200 often act as medium- and long-term support/resistance references.
Disclaimer
This indicator is for technical analysis reference only and does not constitute investment advice. Trade at your own risk.
Indicator
Opening Range Breakout (ORB)The most academically validated daytrading strategy (Zarattini & Aziz, SSRN 2023). Buy a break of the first N-minute range high, short a break of the low. ATR or range-based stop, R-multiple target, always flat by EOD. Recommended chart: 5-min, ES/NQ/MES/MNQ
Strategy
Zen Master JP 4SMA + Supertrend**Zen Master JP 4SMA + Supertrend**
The Zen Master JP 4SMA + Supertrend indicator combines four widely used simple moving averages with the Supertrend indicator to provide a clear view of market direction, trend structure, and potential support or resistance areas.
The indicator includes:
* **9 SMA — Orange:** Highlights short-term price momentum.
* **21 SMA — White:** Tracks the near-term trend and potential pullback areas.
* **50 SMA — Red:** Helps identify the intermediate market trend.
* **200 SMA — Yellow:** Represents the long-term trend and broader market bias.
* **Supertrend:** Displays a dynamic trend-following line based on volatility and ATR.
The Supertrend line appears green during bullish conditions and red during bearish conditions. Its ATR length and multiplier can be adjusted in the indicator settings to fit different markets and timeframes.
Traders can use the moving-average alignment to evaluate trend strength. A bullish structure may be present when the shorter moving averages are positioned above the longer moving averages, while the opposite alignment may indicate bearish conditions.
Potential uses include:
* Identifying the overall market trend
* Spotting moving-average support and resistance
* Evaluating pullbacks within an established trend
* Confirming bullish or bearish momentum
* Filtering trade setups using the Supertrend direction
This indicator is intended to provide additional market context and should be used alongside price action, market structure, volume, and proper risk management.
**Disclaimer:** This indicator is for educational and informational purposes only. It does not constitute financial advice or guarantee future market results.
Indicator
Donchian Intraday Momentum BreakoutTurtle-style breakout adapted for daytrading: stop orders at the N-bar highest high / lowest low, ATR trailing stop to ride momentum, optional volume-surge confirmation to cut false breaks. Flat by EOD. Recommended chart: 5-min or 15-min, NQ/MNQ, CL, GC
Strategy
VWAP Band Mean ReversionVWAP BAND MEAN REVERSION
Fades overextensions from session VWAP: when price stretches beyond a standard-deviation band and snaps back, enter toward VWAP. Works best on choppy, range-bound days; an ADX filter blocks trades on strong trend days. Flat by EOD. Recommended chart: 5-min, ES/MES (index futures revert well)
Strategy
OTS FOREX [ICT Killzones - Asian , london, newyork] IST TIMEThis indicator marks ICT Killzone for every session automatically according to IST time.
1. Asian = 05:30 AM – 07:30 AM = Characterized by tight consolidation ranges and liquidity building. Focuses heavily on AUD, NZD, and JPY pairs.
2. London Open = 11:30 AM – 02:30 PM = High volatility. This window often sweeps Asian range liquidity and establishes the high or low of the trading day.
3. New York Open = 04:30 PM – 06:30 PM = The most liquid window of the day as London and NY overlap. Subject to intense volatility from major US economic data releases (usually at 6:00 PM IST).
4. London Close = 07:30 PM – 09:30 PM = European institutional traders close out their daily positions, frequently resulting in price retracements or reversals away from daily extremes.
Feel free to use them and try our other indicators also
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MACD Divergence Pro A really simple macd divergence and continuation indicator that plot lines on the chart and the macd.
Indicator
EMA 9/20/50/100/200A clean multi-timeframe EMA indicator that plots five exponential moving averages on your chart: 9, 20, 50, 100, and 200 periods.
These are among the most widely followed EMAs in technical analysis. The shorter EMAs (9, 20) track near-term momentum, the 50 marks the intermediate trend, and the 100 and 200 act as major long-term trend and support/resistance levels. When the fast EMAs cross above the slow ones, it signals bullish momentum; crosses below signal bearish momentum. Alignment of all five in order often confirms a strong trend.
Each EMA is color-coded and weighted for easy reading, so you can quickly gauge trend direction and spot potential crossovers, pullbacks, and dynamic support/resistance zones across any timeframe or asset.
Feel free to adjust the periods and colors to fit your own strategy.
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Currency BroHigher Timeframe Market Structure Tracker. This is used to help you stay aligned in the markets while operating your trades on a weekly basis. This Indicator uses SMC Market Structure techniques to keep track of the higher timeframe trends. Use this everyday when placing trades to help keep you in line for directional bias.
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Indicator
Multi EMAUp to 5 Configurable EMAs on One Chart
One indicator that replaces multiple single-EMA instances. Add up to 5 independent EMAs, each with its own:
Length
Timeframe (leave blank for chart timeframe, or set a higher/lower one — e.g. 5m, 15m, 1h)
Source
Color & line width
On/off toggle
Built for traders who track EMA confluence across multiple timeframes (e.g. execution + intermediate + higher-timeframe trend) without cluttering the chart with repeated copies of the same indicator.
Higher-timeframe EMAs are calculated with request.security() using non-repainting settings (lookahead_off), so historical and real-time values stay consistent.
Indicator
Gold Intraday EMA/BB/VWAP + ATR SLTP + Reliable AlertsScript Name
EMA + VWAP + Bollinger ATR Strategy with Smart Alerts
Short Description
A non-repainting intraday trading strategy that combines EMA, VWAP, and the Bollinger Bands middle line for trend-following entries. The strategy uses ATR-based Stop Loss and Take Profit, supports session and weekday filters, and includes reliable entry, stop-loss, and take-profit alerts.
Full Description
Overview
This strategy is designed for intraday trading and combines trend confirmation with volatility-based risk management. It generates long and short signals based on the relationship between the EMA, Bollinger Bands middle line, and VWAP.
Entry Rules
Buy
Fast EMA crosses above the Bollinger Bands middle line.
Price is above the Slow EMA.
Price is above VWAP.
Trading session and weekday filters allow trading.
Sell
Fast EMA crosses below the Bollinger Bands middle line.
Price is below the Slow EMA.
Price is below VWAP.
Trading session and weekday filters allow trading.
Exit Rules
ATR-based Stop Loss.
ATR-based Take Profit.
Fixed SL/TP calculated at entry.
No trailing stop.
Features
Non-repainting signals.
ATR-based risk management.
Fixed Stop Loss and Take Profit.
EMA trend confirmation.
VWAP trend filter.
Bollinger Bands middle-line crossover.
Session filter (Asia, London, New York).
Weekday filter.
Entry alerts.
Stop Loss alerts.
Take Profit alerts.
Optimized for intraday trading.
Inputs
Fast EMA Length
Slow EMA Length
Bollinger Bands Length
ATR Length
ATR Stop Loss Multiplier
ATR Take Profit Multiplier
Session Selection
Weekday Selection
Recommended Timeframes
5 Minutes
15 Minutes
30 Minutes
1 Hour
Recommended Markets
Gold (XAUUSD)
Forex
Indices
Cryptocurrencies
Stocks
Alerts
The strategy provides separate alerts for:
BUY Entry
SELL Entry
BUY Stop Loss
SELL Stop Loss
BUY Take Profit
SELL Take Profit
Notes
Wait for the candle to close before acting on a signal.
Test different ATR multipliers based on the instrument and timeframe.
Use proper risk management and position sizing.
Strategy
Cody Market Structure SystemOnly for my Students
marks out highs and lows, mitigation/ order blocks, fvgs and bear and bull sweeps
Indicator
CRT + Cruce EMA 9/21 + Filtro Tendencia 50CRT + Cruce EMA 9/21 + Filtro Tendencia 50 con el CRT como principal estrategia
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CRT Sweep M15 + EMA50 + Volumen + Imbalance M5CRT Sweep M15 + EMA50 + Volumen + Imbalance M5 basado en el metodo CRT
Indicator
Indicator
MA Stack (Multi-Timeframe Moving Averages)WHAT IT DOES
MA Stack replaces the usual clutter of adding moving averages to a chart one by one. It plots up to five moving averages in a single indicator. Each moving average can have its own type, length, timeframe, offset and color.
The script adds three optional visual layers:
• Fills between adjacent moving averages. The area is green when the faster MA is above the slower MA and orange when it is below. This makes compression, expansion and crossovers of the MA stack easier to recognize.
• Trend background, disabled by default. The background is green when the fastest MA is above every slower MA, red when it is below all of them, and yellow when the stack has a mixed order.
• Slope projections. Each moving average is extended into the future with a dotted line based on its latest one-bar slope. The projection always uses the same color as its moving average. It is a visual extrapolation, not a price forecast or trading signal.
HOW IT WORKS
Each of the five MA slots calculates one moving average using the selected source, type and length. The available types are SMA, EMA, WMA, VWMA, HMA and RMA.
Each slot can use the chart timeframe or a separate higher timeframe. Higher-timeframe calculations use confirmed values with lookahead disabled. In real time, the script uses the previous confirmed higher-timeframe value, so the higher-timeframe lines update after confirmation rather than following an unfinished higher-timeframe bar.
The slope projection takes the latest one-bar change in the moving average and extends that change over the selected projection length, which is 10 bars by default. The script maintains one projection line per moving average and updates it in place, preventing old projection lines from accumulating on the chart.
PRESETS
The presets provide commonly used moving-average combinations:
• Classic 20/50/200 SMA — short-, medium- and long-term simple moving averages.
• EMA Ribbon 8/13/21/34/55 — a Fibonacci-spaced EMA ribbon for observing compression, expansion and changes in trend structure.
• Golden Cross 50/200 SMA — the traditional pair used to identify golden-cross and death-cross conditions. The fill changes color when the averages cross.
• Scalping 9/21 EMA — a fast EMA pair intended for observing short-term momentum.
• Swing 10/20/50 EMA — three exponential moving averages for observing multi-day trend structure.
• Multi-TF Trend (21/50 EMA, D+W) — the 21 and 50 EMA from the Daily timeframe together with the 21 and 50 EMA from the Weekly timeframe. This preset makes it possible to compare price with both higher-timeframe structures on one chart.
• Bitcoin Support Band (20W SMA / 21W EMA) — the 20-week SMA and 21-week EMA, calculated from Weekly data regardless of the chart timeframe.
Select Manual to configure all five MA slots individually. Manual settings include enable or disable, MA type, length, timeframe, offset and color. Colors, offsets, line width and visual controls remain available when a preset is selected.
SETTINGS
• Preset and Source — select a preset and the price source used in all calculations.
• MA 1 to MA 5 — configure each slot's status, type, length, timeframe, offset and color. An empty timeframe uses the chart timeframe. These calculation settings are used when Preset is set to Manual; colors and offsets remain available for presets.
• Visuals — enable or disable fills, the trend background and slope projections; set the projection length and line width. The trend background is disabled by default.
HOW TO USE IT
Use a preset when you want a familiar MA combination without configuring every line manually. Use Manual mode when you need different MA types, periods or timeframes.
The relative order of the moving averages can help organize trend context:
• A faster MA above the slower averages indicates bullish alignment.
• A faster MA below the slower averages indicates bearish alignment.
• A mixed or compressed stack indicates that trend direction is less clearly aligned.
These observations are descriptive, not entry or exit signals. They should be combined with the user's own market analysis and risk management.
LIMITATIONS
• The slope projection is a straight-line extrapolation of the latest change in an MA. It does not predict future prices.
• Higher-timeframe values update only after confirmation. This creates a deliberate delay compared with an unfinished higher-timeframe bar.
• A slot's selected timeframe should normally be equal to or higher than the chart timeframe. For example, a Weekly moving average is not intended for use as a lower-timeframe data source on a Monthly chart.
• Moving averages are lagging calculations derived from past prices. Presets do not guarantee that a particular combination is suitable for every market or timeframe.
MA Stack is an open-source visual organization tool built from standard moving-average calculations. It does not generate automated trade signals or alerts and does not constitute investment advice.
Indicator
RTH + Overnight VWAP with Deviation BandsIncludes:
RTH VWAP: 9:30 AM–4:00 PM ET
Overnight VWAP: 6:00 PM–9:30 AM ET
Independently toggleable sessions
Toggleable ±1 and ±2 deviation bands
Optional band fills
Optional session background shading
Custom session times, days, timezone, colors, and line width
Indicator
TSF Risk ManagerTSF Risk Manager
═══════════════════════════════════════ ENGLISH ═══════════════════════════════════════
OVERVIEW A visual position-size and risk calculator. Mark your entry and stop-loss on the chart and it instantly computes the exact lot size for your chosen account risk, draws the full trade (entry, stop, take-profits) and shows the REAL risk in your account currency.
Important: PulseWire / Pine cannot access your broker account or place orders. This is a calculator and visual planner — you enter your account size and risk %, and it does the math. It does not execute trades.
WHAT IT DOES
Click-to-place entry and stop-loss directly on the chart.
Calculates position size (lots) for your target risk %, rounded DOWN to your broker's lot step so you never exceed the intended risk.
Shows the REAL risk of the rounded lot (in money and %), so what you see is what you actually risk — not just the target.
Warns when your account size and stop distance don't allow the target risk (i.e., when the broker's minimum lot already risks more than your %).
Draws the trade: entry, stop and three take-profit levels at configurable R multiples, with a green reward zone and a red risk zone.
Detects direction (long / short) automatically from where the stop is placed.
HOW IT WORKS
Risk amount = account balance × risk %.
Lot size = risk amount ÷ (stop distance × value-per-1.00-move-per-lot), floored to the broker's lot step.
The "Value of 1.00 move per lot" must match your instrument. For XAUUSD (gold) it is 100 (1 standard lot = 100 oz, so a 1.00 price move = $100 per lot). Adjust it for other instruments / brokers.
HOW TO USE
Add the indicator; when prompted, click your entry and then your stop-loss on the chart.
In the settings, set your account size, risk %, and the value-per-point for your instrument (100 for gold).
Read the lot size and the real risk in the panel; the trade is drawn on the chart.
To plan another trade without deleting the current one, simply add the indicator again.
USER-INTERFACE TEXT (English translation) The panel and labels are written in Spanish. English meaning:
"TSF RISK" = panel title · "COMPRA" = Buy (long) · "VENTA" = Sell (short).
"Capital" = Account balance · "Riesgo objetivo" = Target risk · "Distancia SL" = Stop distance.
"LOTAJE" = Lot size · "Riesgo real" = Actual risk · "Estado" = Status.
"⚠ Mín 0.01 = X% del capital" = Warning: the broker's minimum lot risks X% of the account.
"✔ Riesgo bajo control" = Risk under control · "marcá entrada y stop" = mark entry and stop.
"TP1 / TP2 / TP3 (R)" = take-profit levels at R multiples · "Trading Sin Fronteras" = the author's brand.
This script is open-source. Feel free to study it, learn from it and adapt it.
═══════════════════════════════════════ ESPAÑOL ═══════════════════════════════════════
Calculadora visual de gestión de riesgo y tamaño de posición. Marcás tu entrada y tu stop en el gráfico y te calcula al instante el lotaje exacto para el riesgo que elegiste, dibuja la operación completa (entrada, stop, take-profits) y te muestra el riesgo REAL en el dinero de tu cuenta.
Importante: PulseWire no accede a tu cuenta del broker ni ejecuta órdenes. Esto es una calculadora y planificador visual — vos cargás tu capital y tu % de riesgo, y hace el cálculo. No opera por vos.
QUÉ HACE
Marcás entrada y stop con un clic en el gráfico.
Calcula el lotaje para tu % de riesgo, redondeado HACIA ABAJO al mínimo de tu broker para que nunca te pases del riesgo objetivo.
Muestra el riesgo REAL del lote redondeado (en $ y en %), así lo que ves es lo que de verdad arriesgás.
Te avisa cuando tu capital y tu stop no permiten el riesgo objetivo (cuando el lote mínimo del broker ya arriesga más que tu %).
Dibuja la operación: entrada, stop y tres take-profits en múltiplos de R, con zona verde de beneficio y roja de riesgo.
Detecta la dirección (compra / venta) según dónde pongas el stop.
CÓMO USARLO Agregá el indicador y, cuando lo pida, hacé clic en tu entrada y luego en tu stop. En los ajustes cargá tu capital, tu % de riesgo y el "valor de 1.00 por lote" de tu instrumento (100 para el oro). Leé el lotaje y el riesgo real en el panel. Para planificar otra operación sin borrar la anterior, agregá el indicador de nuevo.
Script de código abierto — Trading Sin Fronteras.
Indicator
CRT Sweep M15 + EMA50 + Volumen + Imbalance M5CRT Sweep M15 + EMA50 + Volumen + Imbalance M5 basado en la estragia crt
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